异动解读|戴尔盘中下跌3.14%,财报发布前高预期压力叠加获利回吐

行情直击
Sep 01

9月1日,戴尔科技盘中下跌3.14%,报441.69美元/股,成交额5.49亿美元。公司将于今日盘后发布第二财季财报,市场一致预期营收约448.80亿美元,同比增长53.85%,调整后每股收益约4.89美元,同比增长112.23%。

消息面上,摩根士丹利此前警示戴尔因买方预期过高及估值偏贵,面临最艰难的近期盈利调整风险;KeyBanc分析师亦指出其服务器业务面临"很高的门槛"。戴尔股价此前已飙升268%,当前估值约为未来12个月预期收益的21.5倍,叠加财报前获利回吐需求,短线承压明显。同板块超微电脑同日下跌3.54%,AI服务器相关标的整体走弱。

(以上内容均基于市场公开消息,由程序或算法智能生成,仅作为股价异动提醒,不作为投资建议或交易依据。)

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